other material
confidence high
sentiment neutral
materiality 0.30
Hines Global Income Trust reports July 31 NAV of $9.83, up from $9.78; declares August distributions
HINES GLOBAL INCOME TRUST, INC.
- NAV per share as of July 31, 2026: $9.83, up from $9.78 at June 30, 2026 (0.5% increase).
- Portfolio: 55 properties, 94% leased, 25.0M sq ft, 30% levered; acquired 405 Colorado and Design Center of the Carolinas, disposed of three properties in July 2026.
- August 2026 distributions: gross $0.052 per share/OP unit for all classes; net ranges from $0.044 (Class T) to $0.052 (Class I/AX/JX).
- Real estate investments valued at $6.71B, up from $6.45B; debt and other liabilities $3.91B.